- Lead end-to-end finance controlling
- Own cash flow and working capital optimization
Firmenprofil
Our client is a well-established international organisation with a strong presence in Vietnam. The company is known for its commitment to quality, innovation, and operational excellence, offering a collaborative environment and strong opportunities for professional growth within a dynamic business setting.
Aufgabengebiet
Financial Controlling, Governance & Reporting
- Prepare and deliver timely monthly financial statements in collaboration with local and regional finance teams
- Oversee statutory and regulatory reporting requirements
- Ensure accuracy and integrity of financial transactions and reporting
- Provide guidance on technical accounting matters and ensure compliance with applicable standards
- Strengthen internal controls by advising on business processes and accounting policies
- Maintain audit-ready documentation and compliance standards
- Ensure ongoing compliance through risk and control certification processes
Working Capital & Cash Management
- Implement strong working capital management practices
- Identify opportunities and risks to optimize cash flow and liquidity
- Enhance overall efficiency of cash management processes
Tax Compliance & Governance
- Ensure compliance with tax filing requirements and regulations
- Maintain high-quality documentation to support tax audits
- Identify tax risks and provide recommendations for mitigation
- Prepare regular tax compliance reports for regional and global stakeholders
- Drive continuous improvements in tax structuring and compliance processes
Treasury Management
- Implement treasury policies, including hedging strategies
- Monitor and manage risks related to foreign exchange, interest rates, and financing
- Oversee loan compliance, maturity schedules, and financing coordination with treasury teams
- Act as a key liaison with banking partners
Financial Planning & Analysis
- Ensure accuracy in forecasting and budgeting, particularly for balance sheet and working capital items
- Identify and communicate financial risks and mitigation strategies
- Lead analysis and review of balance sheet forecasts and performance
- Drive initiatives to improve cash flow and balance sheet efficiency
Team Leadership & Development
- Build and lead a high-performing finance controlling team
- Promote finance process improvements and automation to enhance efficiency and accuracy
Anforderungsprofil
Qualifications & Experience
- Professional finance qualification (e.g., CA, CPA, ACCA, or equivalent)
- Proven experience in financial accounting, reporting, and ideally taxation or treasury
- Experience in trading or import-related businesses is advantageous
- Approximately 08 - 12 years of experience in finance controlling, or similar roles
- Experience working in a networked or matrix organisation environment
Key Skills & Competencies
- Strong understanding of financial governance, internal controls, and risk management
- Proven experience in financial controlling, including reporting, taxation, and treasury
- Solid knowledge of financial planning, budgeting, and forecasting
- Ability to independently manage financial controlling responsibilities
- Analytical mindset with attention to detail and problem-solving capability
Vergütungspaket
Ready to step into a key finance role where you can strengthen governance, enhance processes, and support business performance
This is an opportunity to take ownership of finance - controlling across reporting, compliance, and working capital, while partnering closely with stakeholders to drive continuous improvement.
If you are looking to grow your impact in a dynamic and collaborative environment, we would love to hear from you. Apply now.
Kontakt
Referenznummer: JN-062026-7034319